Journal of Risk Management in Financial Institutions

The Profession’s libraries have taken out a subscription to Journal of Risk Management in Financial Institutions. The journal is aimed at those directly involved in, or concerned with, the management of risk in the financial sector in five inter-related areas:

• Strategic and business risk: risks to the way the institution is managed

• Financial risk: covering both traditional and more exotic credit, market and liquidity risks and exposures

• Operational risk: management of day-to-day business processes as well as large unexpected internal and external events

• Regulatory risks: regulatory developments and their impact on institutions

• Systemic risk: risks of a systemic crisis to the financial system as a whole.

Every quarter, Journal of Risk Management in Financial Institutions publishes a wide range of peer-reviewed practice papers, research articles and professional briefings written by leading practitioners and academic experts, including: